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CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY - USD ($)
shares in Thousands, $ in Thousands
Total
Common Stock
Contributed Capital
Retained Earnings
Treasury Stock
Accumulated Other Comprehensive Loss
Beginning Balance at Feb. 03, 2024 $ 1,736,759 $ 2,496 $ 360,378 $ 2,214,159 $ (823,864) $ (16,410)
Beginning Balance (in shares) at Feb. 03, 2024   196,936        
Stock awards 27,062   27,062      
Repurchase of common stock as part of publicly announced programs, including excise tax (130,941)       (130,941)  
Repurchase of common stock as part of publicly announced programs, including excise tax (in shares)   (6,000)        
Repurchase of common stock from employees (13,290)       (13,290)  
Repurchase of common stock from employees (in shares)   (533)        
Reissuance of treasury stock 1,110   (35,166) 10,996 25,280  
Reissuance of treasury stock (in shares)   1,610        
Net income 145,014     145,014    
Other comprehensive income (loss) (22,861)         (22,861)
Cash dividends declared and dividend equivalents (48,617)   1,204 (49,821)    
Contributions from non-controlling interests 130   130      
Ending Balance at Aug. 03, 2024 $ 1,694,366 $ 2,496 353,608 2,320,348 (942,815) (39,271)
Ending Balance (in shares) at Aug. 03, 2024 192,013 192,013        
Beginning Balance at May. 04, 2024 $ 1,752,356 $ 2,496 345,922 2,267,785 (848,125) (15,722)
Beginning Balance (in shares) at May. 04, 2024   196,430        
Stock awards 6,626   6,626      
Repurchase of common stock as part of publicly announced programs, including excise tax (95,993)       (95,993)  
Repurchase of common stock as part of publicly announced programs, including excise tax (in shares)   (4,500)        
Repurchase of common stock from employees (48)       (48)  
Repurchase of common stock from employees (in shares)   (2)        
Reissuance of treasury stock 1,112   (161) (78) 1,351  
Reissuance of treasury stock (in shares)   85        
Net income 77,264     77,264    
Other comprehensive income (loss) (23,549)         (23,549)
Cash dividends declared and dividend equivalents (24,024)   599 (24,623)    
Contributions from non-controlling interests 622   622      
Ending Balance at Aug. 03, 2024 $ 1,694,366 $ 2,496 353,608 2,320,348 (942,815) (39,271)
Ending Balance (in shares) at Aug. 03, 2024 192,013 192,013        
Beginning Balance at Feb. 01, 2025 $ 1,766,860 $ 2,496 365,845 2,456,063 (1,001,154) (56,390)
Beginning Balance (in shares) at Feb. 01, 2025 188,618 188,618        
Stock awards $ 26,770   26,770      
Repurchase of common stock as part of publicly announced programs, including excise tax (31,301)       (31,301)  
Repurchase of common stock as part of publicly announced programs, including excise tax (in shares)   (2,000)        
Accelerated share repurchase, including excise tax (201,849)       (201,849)  
Accelerated share repurchase, including excise tax (in shares)   (18,416)        
Repurchase of common stock from employees (7,913)       (7,913)  
Repurchase of common stock from employees (in shares)   (656)        
Reissuance of treasury stock 269   (21,280) (7,622) 29,171  
Reissuance of treasury stock (in shares)   1,790        
Net income 12,734     12,734    
Other comprehensive income (loss) 21,744         21,744
Cash dividends declared and dividend equivalents (42,824)   1,371 (44,195)    
Contributions from non-controlling interests 120   120      
Ending Balance at Aug. 02, 2025 $ 1,544,610 $ 2,496 372,826 2,416,980 (1,213,046) (34,646)
Ending Balance (in shares) at Aug. 02, 2025 169,336 169,336        
Beginning Balance at May. 03, 2025 $ 1,474,216 $ 2,496 365,326 2,361,273 (1,212,774) (42,105)
Beginning Balance (in shares) at May. 03, 2025   173,267        
Stock awards 6,357   6,357      
Accelerated share repurchase, including excise tax (380)       (380)  
Accelerated share repurchase, including excise tax (in shares)   (3,949)        
Repurchase of common stock from employees (20)       (20)  
Repurchase of common stock from employees (in shares)   (2)        
Reissuance of treasury stock 151   90 (67) 128  
Reissuance of treasury stock (in shares)   20        
Net income 77,633     77,633    
Other comprehensive income (loss) 7,459         7,459
Cash dividends declared and dividend equivalents (21,170)   689 (21,859)    
Contributions from non-controlling interests 364   364      
Ending Balance at Aug. 02, 2025 $ 1,544,610 $ 2,496 $ 372,826 $ 2,416,980 $ (1,213,046) $ (34,646)
Ending Balance (in shares) at Aug. 02, 2025 169,336 169,336